Contáctenos vía apps de mensajería:+ 7 (921) 446-25-10
×
Para enviar mensajes se requiere el registro.
Por favor, vaya al formato de registro o autorícese en el sitio web.
×
Su solicitud ha sido enviada. En breve los gerentes de Cbonds se pondrán en contacto con usted. ¡Gracias!

Czech Republic: bonos

The Czech Treasury securities market includes T-bills and government bonds. Trading volumes in local-currency denominated bonds are relatively small in the secondary markets.

The primary market of corporate bonds was vivified particularly by activities of the Czech Securities Commission whose mission was to support development and protection of the capital market and also strengthen the investors’ and issuers’ trust in the capital market. In the context of integration of the financial market supervisors into the Czech National Bank, the Czech Securities Commission ceased to operate as of 31 March 2006. All its responsibilities were transferred to the Czech National Bank as from 1 April 2006.

Spread of corporate bonds as a source of funding is also supported by the Prague Stock Exchange. The stock exchange also attempts to enlarge the number of new primary bond issues in the Czech Republic, which will be an alternative to loans, which are now practically the only source of funding for Czech companies.

Government securities shall be sold onshore on the primary market principally by auction to primary dealers or in the form of direct registration on the owner account of the Issuer.

Emisiones en circulación

Moneda Emisiones en circulación Volumen total
Soberano
CZK 40 10 096 683 450 000
EUR 4 6 115 000 000
JPY 1 30 000 000 000
Municipal
EUR 1 200 000 000
CZK 1 5 000 000 000
Corporativo
CZK 237 311 392 420 000
EUR 85 25 750 465 000
JPY 5 42 500 000 000
USD 3 1 450 000 000
HKD 2 733 000 000
GBP 1 350 000 000
SGD 1 150 000 000
CHF 1 165 000 000
HUF 1 30 000 000 000

Ratings soberanos

AgenciaRating / PronósticoEscala de ratingsFecha
Dagong Global *** International scale rating (foreign curr.) ***
Dagong Global *** International scale rating (local curr.) ***
Organisation for Economic Co-operation and Development (OECD) *** Country Risk Classifications ***
Scope Ratings *** Issuer Rating ***
Scope Ratings *** Issuer Rating (foreign currency) ***
Scope Ratings *** Senior Unsecured Debt Rating ***
Scope Ratings *** Senior Unsecured Debt Rating (foreign currency) ***
ACRA *** Foreign currency international scale ***
ACRA *** Local currency international scale ***
Moody's Investors Service *** LT- foreign currency ***
Moody's Investors Service *** LT- local currency ***
S&P Global Ratings *** Foreign Currency LT ***
S&P Global Ratings *** Local Currency LT ***
Fitch Ratings *** LT Int. Scale (foreign curr.) ***
Fitch Ratings *** LT Int. Scale (local curr.) ***
Japan Credit Rating Agency *** Foreign Currency Long-term Issuer Rating ***
Japan Credit Rating Agency *** Local Currency Long-term Issuer Rating ***
Registro necesario. Por favor, vaya al formulario de registro o inicie sesión.

Últimas emisiones

emisión ISIN cupón cantidad terminación de colocación fecha de vencimiento
CPI Property Group, 4.875% perp., EUR - Bonos internacionales XS2231191748 4.875% 525 000 000  EUR 09/09/20
Czech Gas Networks Investments, FRN 22jul2026, CZK - Bonos internacionales XS2193733842 1.36% 6 750 000 000  CZK 15/07/20 22/07/26
Czech Gas Networks Investments, 1% 16jul2027, EUR - Bonos internacionales XS2193733503 1% 600 000 000  EUR 09/07/20 16/07/27
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2026, EUR - Bonos internacionales XS2188802313 0% 1 000 000 000  EUR 05/06/20 15/06/26
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2025, EUR - Bonos internacionales XS2188802230 0% 1 000 000 000  EUR 05/06/20 15/06/25
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2027, EUR - Bonos internacionales XS2188802404 0% 1 000 000 000  EUR 05/06/20 15/06/27
Unicredit Bank Czech Republic and Slovakia, FRN 15jun2024, EUR - Bonos internacionales XS2188797729 0% 1 000 000 000  EUR 05/06/20 15/06/24
CPI Property Group, 2.75% 12may2026, EUR - Bonos internacionales XS2171875839 2.75% 750 000 000  EUR 06/05/20 12/05/26
Sazka, 3.875% 15feb2027, EUR - Bonos internacionales XS2113253210 3.875% 300 000 000  EUR 29/01/20 15/02/27
CPI Property Group, 5.8% perp., SGD - Bonos internacionales XS2106857746 5.8% 150 000 000  SGD 17/01/20

Свалка

Índices semanales

Tipo: 27/09/16 26/09/16 23/09/16 22/09/16 21/09/16 20/09/16 19/09/16
PX (Czech Republic)  866.34 869.10 874.05 875.87 864.77 865.53 861.83
mostrar los demás índices

Índices mensuales

Tipo: Oct 2019 Sep 2019 Aug 2019 Jul 2019 Jun 2019 May 2019 Apr 2019
Czech Republic 10Y Government Bond Yield  1.32 1.24 0.99 1.36 1.58 1.86 1.82
mostrar los demás índices

Money

Indicadores periódicos

Tipo: Valor actual Cambio Fecha de la última modificación
Interest Rate (Daily frequency)
[9361] Czech Republic Repo Rate  0.25 0 06.08.2020

Interest rates (benchmarks)

Índices semanales

Tipo: 18/09/20 17/09/20 16/09/20 15/09/20 14/09/20 11/09/20 10/09/20
PRIBOR (Czech Republic)
[18921] 12M PRIBOR 0.440 0.440 0.440 0.440 0.440 0.430 0.430
[18957] 3M PRIBOR 0.340 0.340 0.340 0.340 0.340 0.340 0.340
[18985] 6M PRIBOR 0.360 0.360 0.360 0.360 0.360 0.360 0.360
[19741] 1M PRIBOR 0.300 0.300 0.300 0.300 0.300 0.300 0.300
mostrar los demás índices

Forex

Índices semanales

Tipo: 21/09/20 18/09/20 17/09/20 16/09/20 15/09/20 14/09/20 11/09/20
FOREX rates
[3645] USD/CZK 23.049 22.569 22.530 22.609 22.600 22.441 22.417
mostrar los demás índices

International bonds outstanding volume

Índices mensuales

Tipo: Aug 2020 Jul 2020 Jun 2020 May 2020 Apr 2020 Mar 2020 Feb 2020
Eastern Europe international bonds outstanding volume
[21151] International bonds of Czech Republic, USD bln 37.173 36.701 29.606 30.191 28.922 29.920 31.864
[21185] Corporate international bonds of Czech Republic, USD bln 30.980 30.588 23.767 24.402 23.220 24.184 25.020
[21219] Sovereign international bonds of Czech Republic, USD bln 5.954 5.878 5.614 5.567 5.483 5.516 6.623
mostrar los demás índices

New international bonds volume

Indicadores anuales

Tipo: 2019 2018 2017 2016 2015 2014
Eastern Europe new international bonds volume
[19631] Annual new issues of Czech Republic sovereign international bonds, USD bln 0.000 0.000 0.000 0.000 0.000 0.000
[19665] Annual new issues of Czech Republic corporate international bonds, USD bln 4.931 4.406 5.779 1.495 1.083 4.529
[19699] Annual new issues of Czech Republic corporate international bonds, (financial sector) USD bln 0.000 1.156 3.301 0.000 0.767 1.225
[19733] Annual new issues of Czech Republic corporate international bonds, (non-financial sector) USD bln 4.931 3.250 2.478 1.495 0.316 3.304

Cotizaciones

título volumen de emisión fecha de vencimiento cotizaciones de compra cotizaciones de venta
fecha compra rentabilidad fecha venta rentabilidad
Czech Republic, 3.625% 14apr2021, EUR   EUR 14/04/21 21/09/20 ***.*** -*.** 21/09/20 ***.** -*.**
Czech Republic, 3.875% 24may2022, EUR   EUR 24/05/22 21/09/20 ***.** -*.** 21/09/20 ***.** -*.**
Prague, 3.125% 3jul2023, EUR   EUR 03/07/23 21/09/20 ***.** *.** 21/09/20 ***.* -*.**
Ceska telekomunikacni infrastruktura A.S. (CETIN), 1.423% 6dec2021, EUR   EUR 06/12/21 21/09/20 ***.*** *.** 21/09/20 ***.*** *.**
CEZ, 0.875% 21nov2022, EUR   EUR 21/11/22 21/09/20 ***.* *.** 21/09/20 ***.** -*.*
CEZ, 0.875% 2dec2026, EUR   EUR 02/12/26 21/09/20 ***.* *.** 21/09/20 ***.** *.**
CEZ, 2.16% 17feb2023, JPY   JPY 17/02/23 21/09/20 ***.**** *.** 21/09/20 ***.**** *.**
CEZ, 3% 5jun2028, EUR   EUR 05/06/28 21/09/20 ***.* *.** 21/09/20 ***.** *.*
CEZ, 4.25% 3apr2022, USD   USD 03/04/22 21/09/20 ***.*** *.** 21/09/20 ***.*** *.**
CEZ, 4.375% 8aug2042, EUR   EUR 08/08/42 21/09/20 ***.*** *.** 21/09/20 ***.*** *.**
CEZ, 4.60% 3may2023, CZK   CZK 03/05/23 21/09/20 ***.**** *.** 21/09/20 ***.**** *.**
CEZ, 4.875% 16apr2025, EUR   EUR 16/04/25 21/09/20 *** *.** 21/09/20 ***.** *.**
CEZ, 5.0% 19oct2021, EUR   EUR 19/10/21 21/09/20 ***.* -*.* 21/09/20 ***.*** -*.**
CEZ, 5.625% 3apr2042, USD   USD 03/04/42 21/09/20 ***.**** *.** 21/09/20 ***.**** *.**
CPI Property Group, 1.45% 14apr2022, EUR   EUR 14/04/22 21/09/20 ***.** * 21/09/20 ***.* *
CPI Property Group, 1.625% 23apr2027, EUR   EUR 23/04/27 21/09/20 **.** *.* 21/09/20 **.** *.**
CPI Property Group, 2.125% 4oct2024, EUR   EUR 04/10/24 21/09/20 ***.** * 21/09/20 ***.** *
CPI Property Group, 2.75% 12may2026, EUR   EUR 12/05/26 21/09/20 ***.** *.** 21/09/20 ***.** *.**
CPI Property Group, 4.375% perp., EUR   EUR 21/09/20 **.*** * 21/09/20 ***.*** *
CPI Property Group, 4.875% perp., EUR   EUR 21/09/20 **.*** * 21/09/20 **.*** *
CPI Property Group, 4.875% perp., EUR   EUR 21/09/20 **.** * 21/09/20 **.** *
Czech Export Bank, 2.905% 8apr2025, EUR   EUR 08/04/25 21/09/20 ***.**** -*.** 21/09/20 ***.**** -*
Czech Export Bank, 4.407% 3mar2021, EUR   EUR 03/03/21 21/09/20 ***.**** -*.** 21/09/20 ***.**** -*.**
Czech Export Bank, FRN 16oct2024, EUR   EUR 16/10/24 21/09/20 **.*** * 21/09/20 ***.*** *
Czech Export Bank, FRN 1apr2023, EUR   EUR 01/04/23 21/09/20 ***.**** * 21/09/20 ***.**** *
Czech Export Bank, FRN 25sep2020, EUR   EUR 25/09/20 21/09/20 ***.**** -*.** 21/09/20 ***.**** -**.**
Czech Export Bank, FRN 26may2021, CZK   CZK 26/05/21 21/09/20 ***.**** * 21/09/20 ***.**** *
Czech Export Bank, FRN 2jul2021, EUR   EUR 02/07/21 21/09/20 **.*** * 21/09/20 ***.*** *
Czech Gas Networks Investments, 1% 16jul2027, EUR   EUR 16/07/27 21/09/20 ***.** *.** 21/09/20 ***.** *.**
Czech Railways, 1.5% 23may2026, EUR   EUR 23/05/26 21/09/20 ***.** *.** 21/09/20 ***.*** *.**
Czech Railways, 1.875% 25may2023, EUR   EUR 25/05/23 21/09/20 ***.** *.** 21/09/20 ***.** *.**
Energo - Pro, 4% 7dec2022, EUR   EUR 07/12/22 21/09/20 **.** *.** 21/09/20 **.** *.**
Energo - Pro, 4.5% 4may2024, EUR   EUR 04/05/24 21/09/20 **.** *.* 21/09/20 **.* *.**
EP Infrastructure, 1.659% 26apr2024, EUR   EUR 26/04/24 21/09/20 ***.** *.** 21/09/20 ***.** *.**
EP Infrastructure, 1.698% 30jul2026, EUR   EUR 30/07/26 21/09/20 ***.** *.** 21/09/20 ***.** *.**
EP Infrastructure, 2.045% 9oct2028, EUR   EUR 09/10/28 21/09/20 **.** *.** 21/09/20 ***.* *.**
Net4Gas, 2.25% 28jan2021, CZK   CZK 28/01/21 21/09/20 ***.**** *.** 21/09/20 ***.**** -*.**
Net4Gas, 2.5% 28jul2021, EUR   EUR 28/07/21 21/09/20 ***.** *.** 21/09/20 ***.*** *.**
Net4Gas, 3.5% 28jul2026, EUR   EUR 28/07/26 21/09/20 ***.*** *.** 21/09/20 ***.** *.**
New World Resources, 4% 7oct2020, EUR (Conv.)   EUR 07/10/20 21/09/20 *.** *.*************E+** 21/09/20 * *.*************E+**
Raiffeisenbank, 0.5% 8mar2021, EUR   EUR 08/03/21 21/09/20 **.** *.** 21/09/20 ***.** -*.**
Raiffeisenbank, 0.625% 8mar2022, EUR   EUR 08/03/22 21/09/20 **.** *.** 21/09/20 ***.** -*.**
Raiffeisenbank, 0.875% 8mar2023, EUR   EUR 08/03/23 21/09/20 ***.*** -*.** 21/09/20 ***.*** -*.**
Raiffeisenbank, 1.125% 8mar2024, EUR   EUR 08/03/24 21/09/20 ***.*** -*.** 21/09/20 ***.*** -*.**
Sazka, 3.875% 15feb2027, EUR   EUR 15/02/27 21/09/20 **.** *.** 21/09/20 **.** *.**
Sazka, 4.125% 20nov2024, EUR   EUR 20/11/24 21/09/20 **.** *.** 21/09/20 ***.** *.**
Sazka, 9% 12jul2021, EUR   EUR 12/07/21 21/09/20 *.* *****.** 21/09/20 **.* ****.**
Unicredit Bank Czech Republic and Slovakia, FRN 16mar2021, EUR   EUR 16/03/21 21/09/20 ***.*** * 21/09/20 ***.**** *
* Registro necesario. Por favor, vaya al formulario de registro o inicie sesión.
minimizarexpandir
CBONDS ES UNA PLATAFORMA GLOBAL DE DATOS DE RENTA FIJA
  • Cbonds es una plataforma de datos global en el mercado de bonos.
  • Cobertura: más de 170 países y 250,000 bonos locales e internacionales.
  • Varias formas de obtener datos: datos descriptivos y precios de bonos - página web, extensión para xls, aplicación móvil
  • Herramientas analíticas: motor de búsqueda de bonos multi-parámetro, listado de seguimiento , mapas de mercado y otras herramientas
×